MYCPE ONE

ARA Code Ethics & AI for Retirement Planning Professionals 1 Credit 1 Credit

ARA Code Ethics & AI for Retirement Planning Professionals 1 Credit 1 Credit

  • Rating

    4.5

  • Published on

    October, 2025

    Published on

    October, 2025

  • Subject Area

    Regulatory Ethics

Learning mode

E-Book
  • Access the course at your convenience
  • Take the assessment test
  • Get your certificate
  • Attend the live interactive session
  • Answer the polling questions
  • Get your certificate

Access to this course is included with a MYCPE ONE subscription.

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Learning Objectives

  • Recognize potential ethical risks introduced by automation and AI tools. 
  • Interpret how the ARA Code guides professional behavior in digital contexts. 
  • Evaluate case studies illustrating AI-related ethical challenges. 
  • Apply best practices to ensure transparency and compliance in AI use. 
  • Develop strategies to preserve integrity amid evolving technology.

Course Overview

Artificial intelligence is transforming how financial and retirement professionals operate, blending automation with decision-making at record speed. But with innovation comes responsibility: when machines generate reports, summaries, or client communications, who’s accountable for accuracy, fairness, and confidentiality? This CPE course confronts the ethical gray zones emerging in the AI era. 

You’ll explore how the ARA Code of Professional Conduct applies when technology takes the wheel, from managing AI-assisted advertising to maintaining confidentiality and avoiding bias. Through real-world case studies, the course examines where automation enhances work and where it risks crossing ethical boundaries. You’ll analyze examples of AI misuse, misrepresentation, and overreliance, learning to reassert human judgment as the foundation of trust. 

Major Topics: 

  • Artificial Intelligence Fundamentals 
  • ARA Code of Conduct 
  • Ethical Challenges in Automation 
  • Case Studies in AI Misuse 
  • Responsible AI Best Practices

Join this timely CPE course to gain tools for ethical decision-making in a digital world. Learn how to balance innovation with integrity, maintain compliance while embracing AI, and apply the ARA Code as a guiding compass for professional conduct in an evolving landscape. 

For more CPE Ethics Courses, Click here.

On Demand Credits for All Qualifications

License details Credits Status
Regulatory Ethics for Certified Public Accountants (CPA-US) 1 CPE Approved
Retirement and Financial Independence Planning for Personal Financial Specialist (PFS) 1 CPD Eligible
Business Ethics for Chartered Financial Consultant (ChFC) 1 CE Eligible
Regulatory Ethics for Delaware Licensed Public Accountant (DE-LPA) 1 CPE Approved
Federal ethics for Enrolled Retirement Plan Agent (ERPA) 1 CE Approved
Estate Planning for Trust and Estate Practitioners (TEP) 1 CPD Eligible
Business Ethics for Certified Wealth Strategist (CWS) 1 CE Eligible
Business Ethics for Retirement Income Certified Professional (RICP) 1 CE Eligible
Business Ethics for Certified Fiduciary and Investment Risk Specialist (CFIRS) 1 CE Eligible
Regulatory Ethics for Certified Plan Fiduciary Advisor (CPFA)/Qualified Plan Financial Consultant (QPFC) 1 CE Eligible
Business Ethics for Financial Services Certified Professional (FSCP) 1 CE Eligible
Business Ethics for Wealth Management Certified Professional (WMCP) 1 CE Eligible
Business Ethics for Qualified 401(k) Administrator (QKA) 1 CE Eligible
Business Ethics for Chartered Advisor in Senior Living (CASL) 1 CE Eligible
Regulatory Ethics for Iowa Licensed Public Accountant (IA-LPA) 1 CPE Approved
Regulatory Ethics for Maine Licensed Public Accountant (ME-LPA) 1 CPE Approved
Business Ethics for Qualified Pension Administrator(QPA) 1 CE Eligible
Business Ethics for Associated Professional Member(APM) 1 CE Eligible
Business Ethics for Nonqualified Plan Consultant (NQPC) 1 CE Eligible
Business Ethics for Qualified 401(k) Consultant(QKC) 1 CE Eligible
Business Ethics for 401(k) Rollover Specialist ((k)RS) 1 CE Eligible
Business Ethics for Tax-Exempt and Governmental Plan Consultant (TGPC) 1 CE Eligible
Business Ethics for Certified Pension Consultant (CPC) 1 CE Eligible
Business Ethics for Chartered Special Needs Consultant (ChSNC) 1 CE Eligible
Business Ethics for Certified Plan Sponsor Professional (CPSP) 1 CE Eligible
License details Credits Status
Regulatory Ethics for Certified Public Accountants (CPA-US) 1 CPE Approved
Retirement and Financial Independence Planning for Personal Financial Specialist (PFS) 1 CPD Eligible
Business Ethics for Chartered Financial Consultant (ChFC) 1 CE Eligible
Regulatory Ethics for Delaware Licensed Public Accountant (DE-LPA) 1 CPE Approved
Federal ethics for Enrolled Retirement Plan Agent (ERPA) 1 CE Approved
Estate Planning for Trust and Estate Practitioners (TEP) 1 CPD Eligible
Business Ethics for Certified Wealth Strategist (CWS) 1 CE Eligible
Business Ethics for Retirement Income Certified Professional (RICP) 1 CE Eligible
Business Ethics for Certified Fiduciary and Investment Risk Specialist (CFIRS) 1 CE Eligible
Regulatory Ethics for Certified Plan Fiduciary Advisor (CPFA)/Qualified Plan Financial Consultant (QPFC) 1 CE Eligible
Business Ethics for Financial Services Certified Professional (FSCP) 1 CE Eligible
Business Ethics for Wealth Management Certified Professional (WMCP) 1 CE Eligible
Business Ethics for Qualified 401(k) Administrator (QKA) 1 CE Eligible
Business Ethics for Chartered Advisor in Senior Living (CASL) 1 CE Eligible
Regulatory Ethics for Iowa Licensed Public Accountant (IA-LPA) 1 CPE Approved
Regulatory Ethics for Maine Licensed Public Accountant (ME-LPA) 1 CPE Approved
Business Ethics for Qualified Pension Administrator(QPA) 1 CE Eligible
Business Ethics for Associated Professional Member(APM) 1 CE Eligible
Business Ethics for Nonqualified Plan Consultant (NQPC) 1 CE Eligible
Business Ethics for Qualified 401(k) Consultant(QKC) 1 CE Eligible
Business Ethics for 401(k) Rollover Specialist ((k)RS) 1 CE Eligible
Business Ethics for Tax-Exempt and Governmental Plan Consultant (TGPC) 1 CE Eligible
Business Ethics for Certified Pension Consultant (CPC) 1 CE Eligible
Business Ethics for Chartered Special Needs Consultant (ChSNC) 1 CE Eligible
Business Ethics for Certified Plan Sponsor Professional (CPSP) 1 CE Eligible

Additional Information

Credit

1

Course Level

Basic

Instructional Method

QAS Self Study

Group Internet Based

Pre-requisites

None

Advance Preparation

None

NASBA APPROVED

MY-CPE LLC, 1600 Highway 6 south, suite 250, sugar land, TX, 77478

MY-CPE LLC is registered with the National Association of State Boards of Accountancy (NASBA) as a sponsor of continuing professional education on the National Registry of CPE Sponsors. State boards of accountancy have final authority on the acceptance of individual courses for CPE credit. Complaints regarding registered sponsors may be submitted to the National Registry of CPE Sponsors through its website: www.nasbaregistry.org.

IRS APPROVED

MY-CPE LLC, 1600 Highway 6 south, suite 250, sugar land, TX, 77478

MY-CPE LLC (Sponsor Id#: GEHNZ) has entered into an agreement with the Internal Revenue Service, to meet the requirements of 31 Code of Federal Regulations, section 10.6(g), covering aintenance of attendance records, retention of program outlines, qualifications of instructors, and length of class hours. This agreement does not constitute an endorsement by the IRS as to the quality of the program or its contribution to the professional competence of the enrolled individual. Credit earned by attendees with a PTIN will be reported directly to the IRS as required of all providers. To ensure your CPE hours are reported, update your profile in My Account to include your PTIN number. Please note: IRS CE is only mandatory for EAs and ERPAs. For all other tax return preparers, CE is voluntary.

About Author

Imtiaz Munshi

Imtiaz Munshi CPA (US)

CFO/Controller, AZSTEC LLC

  • 4.4
  • rating
  • rating
  • rating
  • rating
  • rating

The author Imtiaz Munshi is a Certified Public Accountant and CFO at Azstec, LLC. He is Business Strategist, Tax Planner, Entrepreneur and Advisor to "HNEs" (High Net Worth Entrepreneurs).

On Demand FAQs

What is Self Study (QAS)?

Self Study QAS (Quality Assurance Service) is a NASBA and other regulatory bodies approved program designed for Professionals to complete their Continuing Professional Education credits through self-paced, interactive courses that meet the highest standards of quality and compliance. Our courses qualify for credits with NASBA, IRS, CFP Board, HRCI, SHRM, Payroll Org, FP Canada, and 25+ other professional organizations.

How do I earn CPE credits through self-study?

To earn CPE credits, you must complete the self-study course, pass the required assessments, and submit the necessary documentation. Credits are awarded based on the completion of course hours and successfully passing the assessments.

Are the self-study courses accepted by NASBA and other professional organizations?

MY-CPE LLC courses are accepted for continuing education credit by various professional certification programs, including NASBA, IRS, CFP Board, and HRCI. MY-CPE LLC is also recognized by SHRM to offer Professional Development Credits (PDCs) for SHRM-CP® and SHRM-SCP® recertification activities.

What are the requirements to maintain compliance with self-study courses?

To maintain compliance, you must follow the guidelines set by NASBA and other regulatory bodies, which include completing the course within the specified timeframe, passing the assessments, and keeping accurate records of your learning activities.

How can I access my course completion certificates?

After successfully completing a self-study course and passing the assessments, you can access and download your course completion certificates from your account dashboard on our platform. These certificates are recognized by NASBA, IRS, CFP Board, HRCI, SHRM, Payroll Org, FP Canada, and 25+ other professional organizations for compliance and reporting purposes.

How are credits reported to governing bodies?

We issue instant credit certificates, ensuring they are valid for presentation to governing bodies. Typically, we report IRS, CTEC, CFP, IDFP, IWI, VBOA Ethics credits within 7 days – the fastest in the industry.

Reviews and Ratings

out of 5

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Average (8%)

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JM

Jeffrey Mcgahren, CPA (US)

5

Interesting course on how AI is being utilized in the industry

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ARA Code Ethics & AI for Retirement Planning Professionals

Inclusions

  • Multiple Credits

    Multiple Credits

    Earn continuing education credits with flexibility. Choose from live webinars, on-demand courses, e-books, or podcasts to fit your learning style and schedule.

  • Certifications & Reporting

    Certifications & Reporting

    We issue instant credit certificates, ensuring they are valid for presentation to governing bodies. Typically, we report IRS, CTEC, CFP, IDFP, IWI, VBOA Ethics credits within 7 days - fastest in the industry.

  • Credit Tracker

    Credit Tracker

    Track and manage your compliance across all 50 states and over 100 designations. Our Credit Tracker keeps your CPE credits and compliance requirements always up-to-date.

  • Certificate Vault

    Certificate Vault

    Certificate Vault to upload, manage, and access certificates earned from various sources and an integrated credit tracker, allowing users to monitor and manage their credits conveniently for compliance.

  • Compliance Reminders

    Compliance Reminders

    Stay current with our automated reminder system. Receive timely alerts for your CPE requirements, ensuring you never miss a deadline.

  • Mobile App Access

    Mobile App Access

    The MYCPE ONE Mobile App allows you to learn on the go, providing access to educational content on Android and Apple iOS devices. You can learn anytime and anywhere, making it convenient for busy schedules.

  • Live Support

    Live Support

    Our support team is available via live chat, email, and phone from 9 AM to 5 PM ET. We're here to help with any questions or issues, ensuring you have a seamless experience.

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